Asset and risk management seminar

OMFIF convenes a group of economic experts and asset managers, mainly from the public sector, to summarise economic and financial developments and discuss the outlook for public sector investment management in a post-Covid environment. Participants discuss the global recovery and economic cycle, efficacy of central bank monetary policy and fiscal stimulus, and issues related to transitioning to a low carbon economy.
Panellists:




Didier Borowski
Head of Global Views
Amundi
Juliusz Jablecki
Director, Financial Risk
National Bank of Poland
Jacques de Larosière
Former President
Banque de France
Roberto Violi
Senior Director
Banca d’Italia




Audun Grønn
Special Advisor to the Governor
Norges Bank
Eloy Lindeijer
Former Chairman of Executive Board
PGGM Investments
José LuÃs Marques
Deputy-Head of Markets Department
Banco de Portugal
Marcus Mølbak Ingholt
Climate Coordinator
Danmarks Nationalbank
Timings:
Tuesday 13 April
Macroeconomic health and prospects for recovery
14:00-15:30 (London)
9:00-10:30 (New York)
21:00-22:30 (Singapore)
Wednesday 14 April
The transition to a low carbon economy and the risks associated with climate change
14:00-15:30 (London)
9:00-10:30 (New York)
21:00-22:30 (Singapore)
Supported by: